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суббота, 25 февраля 2023
11:22 India economic resilience test
India's economic resilience test  
 
 
Friday February 24  will be the year of the Russian invasion of neighboring Ukraine. The previous months  were characterized by a steady increase in tension. The invasion drove up the prices of fuel, fertilizers, grain and other essential commodities, of which Russia and Ukraine were the main suppliers. This, in turn, caused  imports to soar in countries like India that depended on  foreign fuels to boost their economies. As a result, inflation has risen 
times, often at unprecedented levels in recent years.
 
Since the end of last year, the prices for fuel  and  other goods, which had risen sharply after the war, have fallen. However, the effects of the crisis on the Indian economy are far from over. For example, the consumer price index rose at its fastest pace in three months (6.5% yoy) in January, shattering initial hopes that falling global fuel prices would lead to a fall supported by domestic inflation. This in turn will affect how the Reserve  Bank of India (RBI) decides on the future path of  rate hikes in 
 
The Russo-Ukrainian war was a major test of the resilience of the Indian economy, both short- and long-term, in the face of what economists call external "shocks". How was it? 
 
Changing  Trade Patterns 
 
One of the most striking changes in the economy, although usually masked by the more visible effects of inflation, is the changing patterns of fuel imports from India (see Chart 2). After the invasion, Russia was practically excluded from the world oil market and tried to attract buyers by offering discounts on supplies.

India went all in. As a result, the share of Russia as a source of Indian crude oil supplies jumped sharply from as low as 2% in late-2021, on the eve of the crisis, to well over a quarter a year later. Russia is now among the top three suppliers of crude to India, thus reducing the traditional reliance on the Middle-East. In January, the proportion of crude imports sourced by India from Russia soared to a high of 27%.

When oil prices spike, the trade balance almost inevitably deteriorates, given the limited room to substitute crude with other forms of fuel in a primarily fossil fuel economy. But despite Russian crude being offered below global market prices, the trade balance did worsen. The overall trade deficit in goods and services between April and December 2022—the peak months of the crisis—more than doubled to $118 billion, from $57 billion for the same period in 2021.

What of the future? As the war shows little sign of resolution, the West has actually ratcheted up attempts to economically isolate Russia. In December, for instance, the European Union banned seaborne imports of Russian crude and the G7 countries imposed a price cap on Russian crude imports.

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This implies that Russia will be more eager than ever to sell its crude elsewhere, and its share of Indian crude supplies could increase even further. Indeed, while the effective price at which India imports crude still closely tracks the international price (Chart 2), in January, when Russian crude imports of India soared to their highest level ever, the Indian price of crude decoupled from the global price to a sharp extent. If this trend continues, the changing pattern of India’s fuel imports could well have a far bigger impact on the overall domestic inflation rate (and the trade deficit) in the longer term than most other direct attempts to tinker with either of these two indicators.

The Inflationary Aftermath

If Russia does become the mainstay of India’s fuel imports, with resulting moderating effects on the pace of inflation, it could have far-reaching effects on the economy, though the jury is still very much out on this. Upticks in fuel prices have always had a highly predictable effect on the Indian economy—on both growth and inflation.

Initial rises in global fuel prices lead to a direct impact on the consumer price index, as they account for close to 7% of the total index. While this may seem a low weightage, it is the steep jumps in the absolute price of crude and other imports of a similar type—gas, refined petroleum products, etc—that can cause a disproportionate effect on inflation. But the direct effects are only part of the picture.

The problem with any of the main fossil fuels is that they are a critical input into a range of industries. Thus, a sustained fuel price rise inevitably leads to other sectors and industries raising prices of their products. What started as a localized price rise can soon become generalized across industries, and across manufacturing and services. Thus, while there is an initial bump in so-called ‘headline’ inflation, it can soon cause ‘core’ inflation—inflation excluding highly volatile prices of commodities like food and fuel—to rise as well.
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